MarketRisk Manager Our Client is an established Bank ?" who are looking to recruit a MarketRisk Manager with at least 5 to 10 years proven expertise. Key member of Bank's Risk team providing support to the Chief Risk Officer with responsibility for ensuring that MarketRisk is appropriate and complied … with. Ensures that MarketRisk tools in the Bank are fit-for-purpose and provides expert input on all MarketRisk issues to the CRO and other stakeholders. Responsibilities Assist in the design of the processes necessary to allow those responsible for primary risk monitoring and management (Line 1) to calculate key performance indicators (KPIs … in accordance with the risk appetite and risk policies approved by the Board of. This will include: Reviewing or defining the methodologies to be followed in calculating KPIs, Reviewing or defining the standards to be used in calculating KPIs, Reviewing or defining the processes and internal controls over these processes to be used in calculating these KPIs and More ❯
Our organisational culture is ever-evolving, vibrant, diverse, global, and results-focused. You'll find our 550+ team currently across 11 locations and 9 time zones. The Role The MarketRisk Analyst role exists to ensure Pepperstone's marketrisk is monitored and controlled to the best of our ability. Based on a solid understanding and … knowledge of financial markets and the CFD industry, the MarketRisk Analyst has discretion within agreed boundaries, ensuring Pepperstone remains agile and responsive in the face of rapidly changing market conditions. As our MarketRisk Analyst, your key responsibilities will include: Proactively monitor marketrisk exposure across asset classes to ensure we maintain … value at risk and exposure limits Actively minimise group marketrisk through the trading of financial instruments and escalate as required Proactively analyse flow across several asset classes and ensure that flow is monetised effectively Engage and contribute to ongoing MarketRisk and Trading Operations projects relating to electronic trading infrastructure Liaise with prime brokers More ❯
I am keen to speak with, MarketRisk Specialists who are keen to take on a exciting challenge with an Investment Bank, in the middle east. This is a 6 month contract which will require you to work onsite in the middle east. Client and exact location to be discussed. The Investment bank are implementing a new Securities … Trading System and they require a MarketRisk Specialist to define system specifications, design and build risk reports, establish a robust limit structure, conduct comprehensive testing, and document procedures, acting as the leading authority with minimal reliance on in-house input. As a key member of a cross-functional project team under overall project management, the MarketRisk Expert will drive the project through design, build, testing, and go-live phases, ensuring alignment with business objectives and regulatory requirements. The role reports directly to the Head of Risk and the COO, who is leading the project. Responsibilities include: Independently define detailed system requirements and specifications for the proprietary trading system, collaborating with the trader More ❯
Our client is seeking a highly motivated MarketRisk Business Analyst to join their growing Risk Management team. In this role, you will play a critical part in identifying, measuring, and reporting marketrisk across trading activities and investment portfolios. You will leverage your strong analytical and programming skills to build and maintain robust risk models and data pipelines, ensuring the accuracy and efficiency of their risk management framework. We are looking for a self-starter who can collaborate with other teams and communicate effectively with stakeholders. Requirements Responsibilities Partner with traders, portfolio managers, and quantitative analysts to understand marketrisk exposures and develop risk mitigation strategies. Design, develop, and … implement quantitative models to assess Value at Risk (VaR), portfolio sensitivities, and other marketrisk metrics. Utilize Python programming language and relevant libraries (Pandas, NumPy, SciPy) to manipulate, analyze, and visualize market data. Build and maintain data pipelines for efficient ingestion, transformation, and cleansing of financial data from various sources. Conduct back-testing and stress-testing More ❯
About Marex Marex Group plc is a diversified global financial services platform, providing essential liquidity, market access and infrastructure services to clients in the energy, commodities and financial markets. It listed on Nasdaq Global Select Market in April 2024. With more than 35 offices in Europe, US and APAC, it has unique access across markets with significant share … clear advantage, and its technology-led service provides access to all major exchanges, order-flow management via screen, voice and DMA, plus award-winning data, insights and analytics. The Risk Department at Marex is responsible for assessing and managing various financial risks that the company may face. The department employs analytical tools to monitor and mitigate potential threats. By … implementing robust risk management practices, the department contributes towards maintaining Marex's overall financial stability. The Risk Department consists of the following teams: • Operational Risk • Change and Transformation Risk • Risk Governace • Data Privacy • Technology Risk • Credit Risk • MarketRisk • Clearing Risk The Risk Transformation Manager is the lead contact More ❯
ID: Our UK Capital Markets technology and data capability helps our investment banking clients to deliver complex business and regulatory transformation, enabled by technology. The opportunity EY has a market leading Risk practice which requires a strong data and technology focus to deliver strategic future proof solutions with a control and efficiency lens. This presents an opportunity for … helped investment banks improve their compliance with regulations such as the Basel 3 Regulatory Framework, FRTB and BCBS 239, and prepare for upcoming regulation around Liquidity and Interest Rate Risk and supporting our clients in leverage how to deploy AI in their businesses responsibly. As we look to the future prudential regulation will increasingly have a Climate Risk … ESG and sustainability consulting. We also help banks to become more profitable, either by developing new revenue streams, or crucially, by reducing costs. While we predominantly serve the UK market, our clients are global, and we collaborate extensively with our fellow capital markets teams in EMEIA, the US and APAC We come at transformation problems in the following ways More ❯
Internal Audit Manager - Market/Counterparty Credit Risk - London - Global Markets AVP MarketRisk Internal Audit Manager Join our Internal Audit Traded Risk team as an AVP. You'll be a key member of the global internal audit team, focusing on the delivery of audits and the validation of issues. Candidates must have over four … years of experience in MarketRisk and/or Counterparty Credit Risk with an in-depth understanding of CRR regulatory requirements and upcoming Basel. Successful candidates will also bring technical skills in Python, SQL, Tableau, and data analytics, along with professional certifications like CPA, CIA, FRM, or CFA. Excellent communication, analytical, and interpersonal skills are critical for … collaborating with teams, influencing stakeholders, and delivering high-quality audits. To be successful, one should have experience with the below: An SME in MarketRisk and/or Counterparty Credit Risk Undergraduate and/or postgraduate education in Accounting, Finance, Risk Management, or a related field Relevant professional certifications such as CPA, CIA, FRM, or CFA More ❯
The firm's Risk Management team is responsible for managing marketrisk, counterparty risk and liquidity risk. The team works closely with traders across discretionary and systematic trading of macro and relative value strategies in fixed income, foreign exchange, credit and digital asset markets. MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: Risk management of fixed … income and foreign exchange macro and relative value trading across marketrisk, counterparty risk, liquidity risk. Contribute to enhancing risk measurement and portfolio analytics and controls. Work within a collaborative environment both within the Risk team and with other stakeholders. The role is hands on and will involve liaising with Portfolio Managers discussing portfolio and … market risks and solutions to manage and optimise risks within the firm's risk framework. WORK EXPERIENCE/BACKGROUND: Quantitative degree from a Top Tier institution (Maths, Physics, Engineering, Computer Science, Finance or Economics) Between 4 and 7 years of experience in a Quantitative-intensive role: Risk Management, Quant, Trading, Structuring Experience in data analysis Experience in More ❯
Types of Jobs - Risk Management/Control Job title Contract type Permanent Contract No Job summary A fantastic opportunity has arisen to join CACIB's Risk and Permanent Control team in the form of a Risk Analyst. This is a fast paced and diverse role based in London but working very closely with front office and risk … to an individual who enjoys taking ownership of tasks and being proactive/self motivated in their approach to work. Key Responsibilities: Active participation in the definition of the risk framework and the annual review of limits; Validation of risk indicators, preparation of risk reports, control of limits respect and notification of overruns; Analysis of positions, risk … on a daily/weekly/monthly basis (depending on the indicators); Participation in the approval process for atypical transactions (one-off); Participation in the constant improvement of the risk monitoring set up; Participation in the process of reserves computation and valuation adjustment; Development of quantitative risk management analytical tools Actively monitoring the market context and the More ❯
Info about the team The firm's Risk Management team is responsible for managing marketrisk, counterparty risk and liquidity risk. The team works closely with traders across discretionary and systematic trading of macro and relative value strategies in fixed income, foreign exchange, credit and digital asset markets. MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: Risk management of fixed income and foreign exchange macro and relative value trading across marketrisk, counterparty risk, liquidity risk. Contribute to enhancing risk measurement and portfolio analytics and controls. Work within a collaborative environment both within the Risk team and with other stakeholders. The role is hands on and will involve liaising with Portfolio … Managers discussing portfolio and market risks and solutions to manage and optimise risks within the firm's risk framework. WORK EXPERIENCE/BACKGROUND: Essential Quantitative degree from a Top Tier institution (Maths, Physics, Engineering, Computer Science, Finance or Economics) Between 4 and 7 years of experience in a Quantitative-intensive role: Risk Management, Quant, Trading, Structuring Experience More ❯
Risk Reporting Data Engineering Lead Central London/Hybrid Financial Risk Data/Data Analytics/International Banking Base salary: c. £135k + bonus + comprehensive bens. As a tech recruitment partner for this international bank, we're assisting in hiring a Technical Lead for the Risk Reporting team, which involves designing technologies for data warehousing, mining … You Ready to Lead in a Fast-Paced, Global Environment? The client seeks a Data & Analytics Engineering Lead to head an international team (10-15 members), driving innovation in Risk Reporting. As the organisation evolves with regulations and tech, they need someone with strong technical leadership, a passion for data, and a drive to architect impactful risk management … solutions. Main Purpose Lead and develop a high-performing team of 10-15 Engineers delivering robust, scalable risk reporting solutions globally. Key Responsibilities Mentor an international team focused on risk data ingestion, transformation, and reporting. Act as SME in database and reporting solutions, working with Risk stakeholders to meet business needs. Design innovative, fault-tolerant systems for More ❯
City of London, London, Coleman Street, United Kingdom
Deerfoot Recruitment Solutions Limited
Risk Reporting Data Engineering Lead Central London/Hybrid Financial Risk Data/Data Analytics/International Banking Base salary: c. £135k + bonus + comprehensive bens. As a tech recruitment partner for this international bank, we're assisting in hiring a Technical Lead for the Risk Reporting team, which involves designing technologies for data warehousing, mining … You Ready to Lead in a Fast-Paced, Global Environment? The client seeks a Data & Analytics Engineering Lead to head an international team (10-15 members), driving innovation in Risk Reporting. As the organisation evolves with regulations and tech, they need someone with strong technical leadership, a passion for data, and a drive to architect impactful risk management … solutions. Main Purpose Lead and develop a high-performing team of 10-15 Engineers delivering robust, scalable risk reporting solutions globally. Key Responsibilities Mentor an international team focused on risk data ingestion, transformation, and reporting. Act as SME in database and reporting solutions, working with Risk stakeholders to meet business needs. Design innovative, fault-tolerant systems for More ❯
Employment Type: Permanent
Salary: £135000/annum bonus + good benefits package
and advanced trading, research, and management technology. Retail : Empower individual investors - and yourself - in the world of retail through a range of different financial products rooted in innovation and market intelligence. From FX and CFDs to precious metals, master an exciting world of wealth management tools. Commercial : With boots on the ground authenticity at the heart of everything we … do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more. Payments : A Swift-accredited service bureau and member, our Payments division provides NGOs, institutions and non-profits the ability to make a local difference, globally - with transparent pricing across … efficiently. From strategic marketing and financial management to human resources and operational oversight, you'll have the opportunity to optimize processes and implement game-changing policies. Position purpose: The Risk Valuation Group is responsible for understanding, implementing and ensuring uniform valuation processes, practices and modelling across all StoneX entities. The group also works closely with the MarketRiskMore ❯
Risk Division The Risk Business identifies, monitors, evaluates, and manages the firm's financial and non-financial risks in support of the firm's Risk Appetite Statement and the firm's strategic plan. Operating in a fast paced and dynamic environment and utilizing the best in class risk tools and frameworks, Risk teams are analytically … curious, have an aptitude to challenge, and an unwavering commitment to excellence. Overview To ensure uncompromising accuracy and timeliness in the delivery of the risk metrics, our platform is continuously growing and evolving. Risk Engineering combines the principles of Computer Science, Mathematics and Finance to produce large scale, computationally intensive calculations of risk Goldman Sachs faces with … each transaction we engage in. As an Engineer in the Risk Engineering organization, you will have the opportunity to impact one or more aspects of risk management. You will work with a team of talented engineers to drive the build & adoption of common tools, platforms, and applications. The team builds solutions that are offered as a software product More ❯
in 2024 for more than 8,000 consultants and aims to exceed the one billion € turnover mark by 2025. For one of our clients we are looking for a Risk Analyst Job Description Production of MarketRisk reports and distribution to trading desks Analysis, explanation and understanding on Greeks, VaR, Stress tests and Capital Regulatory and other … MarketRisk exception reporting Assist on impact tests as a result of Regulatory changes including IBOR & FRTB Assist in implementation of Audit and Validation recommendations related to MarketRisk Updating stakeholders on progress for risk systems change Qualifications Solid finance background with sound experience in risk management Excellent Excel and coding skills, particularly SQL More ❯
We are recruiting for a Risk Associate to expand our in-business Risk and Reporting control function for the global Quant Trading business. Quant Trading business covers a variety of trading desks across cash, derivatives, volatility trading and others. This role will cover both P&L reporting and Risk monitoring with direct interaction with trading desks, central … Finance team and other control functions. Responsibilities: Responsible for daily monitoring and reporting of P&L and Risk, with commentaries of key drivers Prepare trading performance reports and analyses for senior management Contribute to the development of the trading risk management framework, drafting of risk policies and procedures for new and existing businesses, ensuring compliance with relevant … regulatory requirements Perform quantitative risk analysis on marketrisk (e.g. VaR, stress testing, scenario analysis), with insightful commentaries to traders and senior management Set up and review trading limits systematically using scripting tools Monitor funding risk and ensure integrity of balance sheet capital funding and usage Work with trading desks to implement risk controls and More ❯
a sophisticated front office investment analytics proposition? Our client is a high growth investment analytics fintech, with a unique solution with very little competition in their area of quantitative risk analytics to analyse, validate and benchmark investment strategies, it's a front office sell to asset managers, pension funds, asset allocators etc. They already have some leading buy side … rewards that come with such a high growth sales career opportunity. So certainly, a great opportunity to 'make the role your own' and reap the benefits of an untapped market to go after! Appropriate applicants will have: Experience selling buy side investment analysis/portfolio analytics/marketrisk/quantitative/financial engineering type solutions. Ideally … as their first dedicated salesperson for German speaking Europe with a sales pipeline to pick up, really is a great opportunity for a sales professional looking for an untapped market to go after. You'll certainly be able to reap the financial rewards of sales success and career growth satisfaction this entrepreneurial opportunity will bring! Remuneration: Appropriate base salary More ❯
rewards that come with such a high growth sales career opportunity. So certainly, a great opportunity to 'make the role your own' and reap the benefits of an untapped market to go after! Appropriate applicants will have: Experience selling buy side investment analysis/portfolio analytics/marketrisk management/quantitative/index/investment research … Joining this company at this stage of growth, as their first salesperson for French speaking Europe, really is a great opportunity for a sales professional looking for an untapped market to go after. You'll certainly be able to reap the financial rewards of sales success and career growth satisfaction this entrepreneurial opportunity will bring! Remuneration: Appropriate base salary … side, asset management, investment management, mutual fund, quantitative analysis, investment analysis, portfolio management, investment analytics, index, indices, investment research, portfolio construction, portfolio management, portfolio analysis, portfolio analytics, portfolio optimization, risk management, risk analytics, manager research, marketrisk, factor models, front office. More ❯
management to human resources and operational oversight, you'll have the opportunity to optimize processes and implement game-changing policies. Job purpose: To contribute to the firm's liquidity risk management capabilities, including developing and supporting the suite of risk-monitoring tools and reports, carrying out analytics, and maintaining, preparing and presenting risk data for management. The … team also works closely with the MarketRisk and Risk Valuations to monitor and project impacts on firmwide liquidity. Responsibilities Develop complete understanding of firmwide trading positions, systems, models, data inputs and pricing sources across all entities to ensure completeness, accuracy and validity of all risk data Design, develop, and support risk-monitoring tools and … reports Carry out periodic and ad-hoc risk analytics on different lines of business and products to inform risk-management decisions Gather, prepare, and present risk data for internal management and regulators Ensure risk data is well-maintained with control processes to detect and promptly rectify issues Build working relationships with risk technology, compliance, front More ❯
the value of our clients' portfolios by providing easier access to integrated liquidity, financing and research. We back our trading and securities lending solutions with proprietary technology that mitigates risk, and with flow research that offers insights into investor behavior. Our data and analytics teams give asset owners and managers insights that help put strategy into action. You will … provide information and data management plus analytics that help plot results and manage risk. Working with us, you will help keep our clients connected to market trends as they happen. Business Strategy and Project Management ( 63 ) jobs Compliance, Risk and Legal ( 49 ) jobs Data, Research and Trading ( 24 ) jobs Finance and Audit ( 61 ) jobs Financial Software and Product … PhD and relevant experience. Are you looking for a challenging role in fixed income research? Bring your 8-10 years of investment management experience to conduct credit analysis, develop market strategies, and collaborate across teams. Leverage your expertise in investment-grade corporate bonds to drive insights and recommendations in a dynamic environment. Generating new ideas, identifying performance improvements and More ❯
themselves and each other. We have a culture of empowering exceptional people to become the best version of themselves. The Role This is a key role within the Trading Risk and Operations team, you will be involved in business-critical key risk projects and be responsible for implementing and reporting risk metrics associated with the firm's … trading activities, providing valuable insight into market activities to allow the firm to make optimal investment decisions. Further responsibilities include: On-going review and monitoring of the company and trading desks risk frameworks. Producing ad-hoc risk analysis for the team, desks, and senior management. Liaising with Trading and Tech teams, supporting daily market activities. Validating … the accuracy and effectiveness of data sources used to produce various risk reports. Building and maintaining risk infrastructures, and ensuring documentation and controls are updated accordingly Investigating when required abnormal data points by requesting further information from the Trading desks (e.g. hedging strategies), Tech team (e.g. data workflow), Exchange (e.g. Initial margin models), Clearers (e.g. Haircut Model), and More ❯
days per week, or 40% of our time, at one of our office sites About This Opportunity We're seeking an experienced Customer Journey manager (CJM) to join our Risk and Finance lab. This is a fantastic opportunity where you'll play a crucial role in product development by assisting the Product Owner (PO) and the feature teams in … continuous improvement through experimentation, identifying and prioritising both short and long-term fixes to enhance the customer experience. Lead structured problem-solving efforts across feature teams, particularly within the Risk and Finance lab, to address high-priority customer issues. Communicate clearly and appropriately with varied audiences, tailoring messages to ensure understanding and engagement. Support team development by mentoring junior … What You'll Need Solid knowledge of financial markets products across Rates, FX, Credit, and Money Markets, with a deep understanding of the full trade lifecycle, PnL attribution, and marketrisk management. Strong grasp of pricing models (including optionality) and the inputs required to calculate PnL and risk metrics, alongside familiarity with the systems that support pricing More ❯
days per week, or 40% of our time, at one of our office sites About This Opportunity We're seeking an experienced Customer Journey manager (CJM) to join our Risk and Finance lab. This is a fantastic opportunity where you'll play a crucial role in product development by assisting the Product Owner (PO) and the feature teams in … continuous improvement through experimentation, identifying and prioritising both short and long-term fixes to enhance the customer experience. Lead structured problem-solving efforts across feature teams, particularly within the Risk and Finance lab, to address high-priority customer issues. Communicate clearly and appropriately with varied audiences, tailoring messages to ensure understanding and engagement. Support team development by mentoring junior … What You'll Need Solid knowledge of financial markets products across Rates, FX, Credit, and Money Markets, with a deep understanding of the full trade lifecycle, PnL attribution, and marketrisk management. Strong grasp of pricing models (including optionality) and the inputs required to calculate PnL and risk metrics, alongside familiarity with the systems that support pricing More ❯
interpret and communicate complex regulatory rules (e.g. CRR/IFR in Europe) with experience in at least one of the main reporting areas: capital, liquidity, leverage, balance sheet, credit risk, marketrisk etc. At least 3 years of experience in regulatory reporting at a regulated firm or as a consultant Deep banking product understanding (Loans, Securities, Derivatives More ❯
City of London, London, United Kingdom Hybrid / WFH Options
IPOE CONSULTING LIMITED
Risk Management Officer International Bank based in the City of London Hybrid working on offer The job holder is responsible for providing risk reporting for the Branchs business activities under the supervision of the Head of Department, which may include the following or other reporting activities deemed relevant: Risk Management Summary, Cashflow mis-match report, Stress test … summary, Corporate bond report, CDS daily monitoring report, LCR daily & monthly report and RDA weekly & monthly report. Other responsibilities will include; Build risk awareness amongst staff by providing support and training across the Branch. Assist in providing administrative operations within the Department working closely with the Head of Department Prepare and complete regular risk management reports, including preparatory … work such as data entry, market rate collection and data reconciliation Ensure the filing of all the regular reports after completion of circulation to the relevant parties.. Improve and make necessary changes on applications (e.g. Excel spreadsheet and Access Database). Plan and implement for the new business supports. Liaise with the relevant departments on activities and information produced. More ❯